Jaguar Animal Health Financial Ratios for Analysis 2013-2024 | JAGX

Fifteen years of historical annual and quarterly financial ratios and margins for Jaguar Animal Health (JAGX).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
20232022202120202019201820172016201520142013
2.000.741.841.350.620.310.250.612.161.020.40
0.861.080.680.420.02-0.39-2.850.48--
7.32-24.802.380.940.351.120.95-1.581.35-0.88-1.19
79.1383.1146.1865.0533.9237.3779.8163.2852.22--
-351.31-287.85-939.05-283.93-501.26-697.98-785.27-9,599.84-4,816.67--
-351.31-287.85-939.05-283.93-501.26-697.98-785.27-9,599.84-4,816.67--
-191.55-170.33-777.95-231.19-378.58-523.02-372.27-9,205.86-3,761.71--
-429.27-404.78-1,213.38-360.25-667.17-727.92-805.97-10,410.87-6,305.24--
-423.11-396.91-1,213.26-411.81-774.48-727.92-503.73-10,410.87-6,439.30--
0.190.250.080.220.160.110.100.040.02--
0.220.290.481.181.790.830.420.130.54--
4.474.852.022.063.414.419.3028.524.62--
81.6775.3118117710782.8039.2612.8078.92--
-855.653,569-443.77-196.54-430.07-597.16-127.27600-370.34105184
275203487474706186103600-370.34925184
-82.54-101.99-98.75-78.91-105.85-78.32-50.35-413.50-131.33-194.79-276.98
-116.75-295.31-142.64-114.13-183.36-223.50-77.782,314-191.80925184
4.02-37.442581,9425,1224,8080.37-0.180.54-0.32-0.16
-86.81-1,520.54-3,533.70-5,372.26-4.12-108.49-3.39-1.32-2.33-1.88-0.13
-86.81-1,524.08-3,534.30-5,374.72-4.12-108.52-3.39-1.33-2.33-1.90-0.13

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-31
1.842.101.892.001.770.971.040.740.941.021.491.842.013.503.501.350.420.470.420.620.880.350.300.310.460.561.160.250.260.380.310.611.321.702.202.162.914.690.431.02----
0.620.570.650.860.960.740.701.080.850.890.750.680.540.430.430.420.250.030.020.020.250.51--0.360.320.270.390.26-0.15-0.27-2.851.140.630.440.480.35-------
2.531.992.727.3224.485.264.33-24.808.8211.363.912.381.240.800.800.941.210.750.450.350.331.540.791.120.840.670.510.950.51-0.75-0.56-1.58-15.632.751.271.350.720.01-0.62-0.88----
82.5984.3181.7170.1381.7381.6582.5184.8280.5484.3982.6777.442.06-72.4753.0269.3771.7367.4522.2150.662.5726.1445.6040.0434.9231.2142.2958.9381.2697.2498.0447.7180.4264.2151.8535.5552.8373.1445.02-----
-233.66-264.50-349.43-328.57-312.37-302.77-499.24-192.82-314.16-221.81-447.77-521.07-1,512.54-3,007.79-706.37-200.58-193.83-266.85-880.78-386.72-691.37-622.63-363.21-758.86-574.72-800.94-637.56-1,341.15-667.15-262.15-471.25-11,476.42-6,312.57-14,117.36-9,659.63-6,963.66-3,547.21-5,018.03-4,294.07-----
-233.66-264.50-349.43-328.57-312.37-302.77-499.24-192.82-314.16-221.81-447.77-521.07-1,512.54-3,007.79-706.37-200.58-193.83-266.85-880.78-386.72-691.37-622.63-363.21-758.86-574.72-800.94-637.56-1,341.15-667.15-262.15-471.25-11,476.42-6,312.57-14,117.36-9,659.63-6,963.66-3,547.21-5,018.03-4,294.07-----
--------------------------------------------
-322.43-353.84-398.47-404.74-280.98-459.30-628.65-252.52-400.29-321.47-691.96-688.70-1,935.24-3,657.40-967.69-340.41-283.66-291.70-913.23-395.68-775.44-980.13-522.26-792.91-542.23-866.35-708.22-1,374.67-675.40-201.41-573.36-12,731.96-6,782.55-15,149.22-10,444.62-7,485.27-3,812.06-8,334.67-6,311.22-----
-317.05-348.84-392.43-398.70-276.50-454.04-618.76-232.55-397.46-320.68-685.18-688.46-1,935.24-3,657.40-967.69-441.15-298.27-334.61-968.47-532.40-1,200.72-980.13-522.26-668.22-542.23-978.92-831.92-1,310.44433-201.41-573.36-12,731.96-6,782.55-15,149.22-10,444.62-7,485.27-3,812.06-8,586.94-6,611.10-----
0.050.040.040.050.060.050.030.070.060.060.050.040.010.010.020.060.080.080.030.040.030.050.040.040.020.020.020.040.020.180.230.010.010.000.000.000.000.000.01-----
0.060.040.050.070.060.060.040.070.090.070.090.100.140.200.210.280.350.440.250.350.410.530.290.290.290.210.200.310.110.060.040.040.040.030.070.150.140.060.11-----
2.381.991.371.051.521.721.371.321.281.411.160.970.290.090.210.560.600.800.800.890.610.781.731.590.941.352.203.291.424.272.855.8210.151.262.980.998.932.157.66-----
37.8245.1265.6185.4659.0352.4065.9068.1170.2663.9377.3192.8131597643015915111211310114711651.9156.5095.8066.6040.8727.3863.5221.0931.5415.478.8771.2530.1991.1110.0841.8911.74-----
-76.51-58.08-79.27-190.10-558.19-210.90-161.84607-350.35-340.59-224.00-120.80-56.57-44.30-37.66-50.98-371.56-1,471.04-163.93-66.50-68.871,017-122.19-235.07-59.45-54.62-27.12-117.0714.9628.8176.161501,251-233.66-85.71-93.90-35.39-47.3533.2123.92----
17134012061.1740.4178.6186.7534.6066.5046.41129133802-169.83-150.5812346.4072.4088.2410912585.7053.6073.0334.0751.9369.6594.66-20.9728.8176.161501,251-233.66-85.71-93.90-35.39-47.3590.25212----
-17.14-15.67-16.91-18.34-17.42-23.56-21.78-17.35-24.59-18.82-34.33-26.88-20.58-20.25-17.48-20.47-21.71-24.58-23.85-16.37-21.21-46.36-20.42-30.83-13.31-16.59-11.33-46.327.93-36.56-131.91-103.18-66.95-50.77-33.27-33.30-17.79-37.98-81.28-44.57----
-28.83-25.08-27.93-25.94-24.27-54.21-49.19-50.23-53.42-35.96-55.22-38.83-26.23-25.15-21.40-29.60-75.16-72.05-46.66-28.35-27.92-110.62-52.57-87.98-20.47-22.66-13.93-71.5511.0833.2597.06577-170.94-86.04-48.13-48.63-23.09-47.3590.25212----
1.262.122.604.003.4418.3728.31-37.441181434642582,0253,0983,3331,9421,1902,3223,8525,1225,5732,3740.164,8080.390.470.180.370.47-0.36-0.43-0.18-0.020.140.460.541.031.37-1.52-0.32----
-2.30-6.48-2.67-86.81-74.61-64.63-117.24-1,520.54-1,133.36-1,023.87-595.06-3,533.70-2,573.67-1,670.72-712.63-5,372.26-3,789.81-0.35-0.28-4.12-2.97-7.94-7.04-108.49-109.82-92.51-1.11-3.39-1.00-1.50-0.02-1.32-1.04-0.81-0.49-2.33-1.28-1.30-0.47-1.91-1.26-0.62-0.220.00
-2.30-6.48-2.67-86.81-74.61-64.63-117.24-1,524.08-1,136.63-1,094.83-595.06-3,534.30-2,574.27-1,671.32-712.63-5,374.72-3,792.18-0.35-0.28-4.12-2.97-7.94-7.04-108.52-109.86-92.55-1.12-3.39-1.00-1.50-0.02-1.33-1.05-0.81-0.50-2.33-1.28-1.30-0.47-1.93-1.28-0.64-0.22-